support - Data capturing.
management account support - Data capturing. General file support. General admin. Analysis report preparation. personal development. Able to handle high volume of work & pressure. Takes initiative. Interpersonal
management account support - Data capturing. General file support. General admin. Analysis report preparation. personal development. Able to handle high volume of work & pressure. Takes initiative. Interpersonal
Job: Report to the Financial Controller/Director: General financial management, e.g. journals, cashbook, Risk reporting. Reconcile payroll reports to the general ledger. Fixed assets reconciliation and review cash flow reporting. Revenue reporting. Process general ledger changes nationally. Prepare VAT201, EMP201 communicate effectively at all levels. Ability to work independently and under pressure. High learning troubleshoot and deal with queries effectively. Ability to work in a team. Adaptable and able to multitask. Self-motivated
the Financial Controller/Director:
Financials
Financials.
of financial trends both within the company and general market patterns Proficient user of finance software financial statistics and accounting principles Working knowledge of all statutory legislation and regulations Directors for Daily Bank Recons Working with Creditors System; General Ledger, and preparing Trial Balance submissions Working with HR dept for processing PAYE payments Banking on the ABSA system Working with imports coordination with Sales / Debtors Team). Cash Flow Planning work, in conjunction with Director. All other related
of financial trends both within the company and general market patterns Proficient user of finance software financial statistics and accounting principles Working knowledge of all statutory legislation and regulations Directors for Daily Bank Recons Working with Creditors System; General Ledger, and preparing Trial Balance submissions Working with HR dept for processing PAYE payments Banking on the ABSA system Working with imports coordination with Sales / Debtors Team). Cash Flow Planning work, in conjunction with Director. All other related
Fixed assets. Bank reconciliations. General ledger journals. General ledger reconciliations. Sustainability